Which sentences identify the advertising objectives of a business?


An ice cream business ran into trouble when news of a possible contamination reached its consumers. After a consumer uproar over negligence, the company decided to restore its credibility with the help of public relations. It released statements to the media about its strict regulated processes and also refuted rumors of contamination. It decided to target a market between ages five and fifteen to help position the product as child friendly and establish it as safe to consume. The company wanted to ensure that the product was marketed in a repackaged form in order to gain credibility and boost sales as compared to rivals. However they did not reduce prices, as reducing prices would be met with suspicion. Frequency of the advertised commercial was increased in order to increase recall among consumers. This proved effective, as within a few months there was no further drop in sales and sales slowly started gaining momentum

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Answer 1

The sentences that identify the advertising objectives of the business are: - The company decided to target a market between ages five and fifteen to help position the product as child-friendly and establish it as safe to consume.

- The company wanted to ensure that the product was marketed in a repackaged form in order to gain credibility and boost sales as compared to rivals.

- Frequency of the advertised commercial was increased in order to increase recall among consumers.

These sentences show that the advertising objectives of the business were to establish the product as safe for children, gain credibility and boost sales, and increase consumer recall through increased advertising frequency.

Here's another set of sentences that identify advertising objectives:

A new car company wants to launch its first electric vehicle in the market and wants to create awareness about the brand and the product. The company decides to launch a print and online advertising campaign targeting eco-conscious consumers who are interested in technology and innovation.

A fashion brand wants to launch its new line of clothing for young adults. The objective of the advertising campaign is to create awareness about the brand and the new line, generate buzz on social media platforms, and drive traffic to the brand's website and physical stores. The company decides to use influencer marketing and social media advertising to reach its target audience.

A fast food chain wants to promote a new menu item and increase sales. The objective of the advertising campaign is to create awareness about the new item and persuade customers to try it out. The company decides to use TV commercials, billboards, and social media advertising to reach a large audience and promote the product's unique features and benefits. The company also offers discounts and promotions to incentivize customers to try the new item.

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Related Questions

Voltac corporation (a u.s.-based company) has the following import/export transactions denominated in mexican pesos in 2020:

march 1 bought inventory costing 100,000 pesos on credit.
may 1 sold 60 percent of the inventory for 80,000 pesos on credit.
august 1 collected 70,000 pesos from customers.
september 1 paid 60,000 pesos to suppliers.

currency exchange rates for 1 peso for 2020 are as follows:

march 1 $0.10
may 1 0.12
august 1 0.13
september 1 0.14
december 31 0.15

for each of the following accounts, what amount will voltac report on its 2020 financial statements?

a. inventory.
b. cost of goods sold.
c. sales.
d. accounts receivable.
e. accounts payable.
f. cash.

Answers

Amount will voltac report on its 2020 financial statements are, a. Inventory: $10,000, b. Cost of Goods Sold: $40,000, c. Sales: $96,000, d. Accounts Receivable: $8,400, e. Accounts Payable: $8,400, f. Cash: $7,000.

The cost of inventory purchased on March 1 is 100,000 pesos, which, using the exchange rate of $0.10 per peso on March 1, equals $10,000.

The cost of goods sold is calculated as the cost of the inventory sold. Voltac sold 60% of the inventory for 80,000 pesos on May 1. The cost of the inventory sold is 60% of the total cost of inventory, or 60% x 100,000 pesos = 60,000 pesos. Using the exchange rate of $0.12 per peso on May 1, the cost of goods sold is $7,200.

The amount of sales made on May 1 is 80,000 pesos. Using the exchange rate of $0.12 per peso on May 1, the sales are equal to $9,600.

The accounts receivable on August 1 is calculated as the amount of sales made on May 1 minus the amount collected by August 1. The amount of sales made on May 1 is 80,000 pesos, which, using the exchange rate of $0.12 per peso on May 1, equals $9,600. The amount collected on August 1 is 70,000 pesos, which, using the exchange rate of $0.13 per peso on August 1, equals $9,100. Therefore, the accounts receivable on August 1 is $500 ($9,600 - $9,100).

The accounts payable on September 1 is 60,000 pesos, which, using the exchange rate of $0.14 per peso on September 1, equals $8,400.

The cash balance on December 31 is calculated as the sum of the amount collected on August 1 and the amount collected after August 1 minus the amount paid on September 1. The amount collected on August 1 is 70,000 pesos, which, using the exchange rate of $0.13 per peso on August 1, equals $9,100. The amount collected after August 1 is the amount of sales made on May 1 minus the amount collected by August 1, which is $500 (calculated in part d). Therefore, the total cash balance is $9,600 ($9,100 + $500) minus the amount paid on September 1, which is $8,400 (calculated in part e), for a total of $1,200.

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Why is presenting all costs of an organization as a function of a single independent variable, al-though useful in obtaining a general understanding of cost behavior, often not accurate enough to make specific decisions concerning products, services, or activities?

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Presenting all costs of an organization as a function of a single independent variable, such as volume of output, can be useful in obtaining a general understanding of cost behavior, but it may not be accurate enough to make specific decisions concerning products, services, or activities for several reasons:

1. Assumptions of linearity: The assumption that costs behave linearly with changes in the independent variable (such as output volume) may not always hold. In reality, many costs are non-linear and may have step costs or non-linear relationships with the independent variable. Thus, using a single independent variable to represent cost behavior may not provide an accurate representation of the underlying costs.

2. Other factors affecting costs: Other factors such as changes in technology, labor rates, inflation, and changes in input prices may also affect costs, making it difficult to accurately predict cost behavior based on a single independent variable.

3. Different cost structures: Different products, services, and activities within an organization may have different cost structures, making it challenging to apply a single cost behavior assumption across the entire organization.

4. Different pricing strategies: Different products or services may have different pricing strategies, which can affect their cost behavior. For example, a company may price some products or services at a premium, which may change the cost behavior of those products compared to others.

Therefore, presenting all costs of an organization as a function of a single independent variable, while useful, may not be accurate enough to make specific decisions concerning products, services, or activities, and a more detailed analysis of the cost structure may be necessary to make informed decisions.

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Identify each of the following reconciling items as:



a. An addition to the cash balance according to the bank statement


b. A deduction from the cash balance according to the bank statement


c. An addition to the cash balance according to the company's records


d. A deduction from the cash balance according to the company's records



Item Treatment


1. Bank service charges, $75.


2. Check of a customer returned by bank to company because of insufficient funds, $880.


3. Check for $275 incorrectly recorded by the company as $725.


4. Check for $100 incorrectly charged by bank as $1,000.


5. Deposit in transit, $5,550.


6. Outstanding checks, $10,350

Answers

Bank service charges, $75: Deduction from the bank statement's cash balance.Check returned by the bank due to insufficient funds, $880: Addition to the company's cash balance.Check recording error by the company, $275 as $725: Deduction from the company's cash balance.Bank error in charging $100 as $1,000: Deduction from the bank statement's cash balance.Deposit in transit, $5,550: Addition to the company's cash balance.Outstanding checks, $10,350: Deduction from the company's cash balance.Bank service charges, $75: (b) A deduction from the cash balance according to the bank statement. Bank service charges are fees charged by the bank for services provided. These charges reduce the cash balance in the bank statement.Check of a customer returned by bank to company because of insufficient funds, $880: (c) An addition to the cash balance according to the company's records. The customer's check that was returned due to insufficient funds represents an increase in the company's cash balance since the company's records had initially reflected a higher balance.Check for $275 incorrectly recorded by the company as $725: (d) A deduction from the cash balance according to the company's records. The incorrect recording of the check by the company resulted in an overstatement of the cash balance, so the correction would reduce the company's cash balance.Check for $100 incorrectly charged by the bank as $1,000: (b) A deduction from the cash balance according to the bank statement. The bank's error in charging $1,000 instead of $100 would result in a lower cash balance according to the bank statement.Deposit in transit, $5,550: (c) An addition to the cash balance according to the company's records. A deposit in transit refers to a deposit made by the company that has not yet been recorded by the bank. Thus, it represents an increase in the company's cash balance.Outstanding checks, $10,350: (d) A deduction from the cash balance according to the company's records. Outstanding checks are checks issued by the company but not yet cleared by the bank. These checks have been recorded by the company but have not yet reduced the bank's cash balance, so they should be deducted from the company's cash balance.

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the preferred stock of dolphin pools pays an annual dividend of $5.20 a share and sells for $48 a share. the tax rate is 21 percent. what is the firm's cost of preferred stock? group of answer choices 15.59% 10.94% 16.47% 9.67% 10.83%

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The tax rate is 21 percent.  The firm's cost of preferred stock is 10.83%.

The cost of preferred stock is the dividend paid on the preferred stock divided by the net proceeds from the sale of the preferred stock. The net proceeds are the sale price of the preferred stock less any flotation costs.

Annual dividend = $5.20 per share

Sale price = $48 per share

Tax rate = 21%

Flotation costs are not given in the problem, so it is assumed that there are no flotation costs. Therefore, the net proceeds from the sale of preferred stock will be equal to the sale price.

Rp = $5.20/$48 = .1083, or 10.83 percent

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Preferred qualifications/attributes: high school or equivalent, homecare experience 1 year, CNA, Driver’s License2. For each qualification/attribute listed, how would you assess the qualification/attribute?o How will you measure it? (be specific and as detailed as possible)o Why did you decide to measure it this way? (Include discussion of alternatives and why this measure is the optimal option.) In your discussion, remember to take into account some of the factors including the effectiveness of the method, organizational cost and impact, and the candidate experience.

Answers

To assess the preferred qualifications/attributes for the role, you can use high school or equivalent, homecare experience, CNA (Certified Nursing Assistant) certification, and driver's license.

To assess the preferred qualifications/attributes for the role, you can use the following methods:

1. High school or equivalent:
- Measure it by reviewing the candidate's resume or application form to check if they have completed high school or have an equivalent diploma, like a GED.
- This method is chosen as it is a straightforward way to verify educational background, ensuring the candidate meets the minimum educational requirement for the role.

2. Homecare experience (1 year):
- Measure it by asking the candidate to provide a detailed work history, including dates and responsibilities, during the interview or on their resume.
- This method allows you to confirm their relevant experience and gauge their familiarity with homecare tasks, ensuring they have the necessary skills for the job.

3. CNA (Certified Nursing Assistant) certification:
- Measure it by requesting a copy of the candidate's CNA certification, which can be verified through the issuing organization if needed.
- This method ensures the candidate has completed the required training and is certified to perform their role as a nursing assistant, ensuring their competence in the field.

4. Driver's License:
- Measure it by asking the candidate to provide a copy of their valid driver's license or mention their license number in their application.
- This method is chosen as it verifies the candidate's ability to drive, which may be essential for transportation or running errands as part of their duties.

These can be used to assess the preferred qualifications/attributes for the role. These assessment methods are considered optimal due to their effectiveness in verifying the candidate's qualifications, the minimal organizational cost and impact, and a positive candidate experience during the application process.

Alternative methods, such as skill assessments or written exams, may be more time-consuming and costly, while not necessarily providing the same level of insight into the candidate's qualifications for the role.

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the management of waiting line systems considers the tradeoff between the operating cost of adding capacity and the cost of making customers wait. group of answer choices true false

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The given assertion " the management of waiting line systems considers the tradeoff between the operating cost of adding capacity and the cost of making customers wait." is true because waiting-for-line system management must strike a balance between these expenses and select a tactic that best suits their corporate objectives and clientele's requirements.

Frameworks for making holding up records are likewise alluded to as lining frameworks are made to adjust the expenses of offering support against the expenses of having clients pause.

Expanding the limit — for instance, by expanding the number of specialist co-ops or broadening the actual space — can abbreviate stand-by times and lift consumer loyalty. The working costs, like those for work, lease, and gear.

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an item has the bom as shown above. answer the following questions what is the total lead time for the final product? 9 weeks for each 'end item', how many units of item 'h' are required? 1 units

Answers

The total lead time for the final product is 14 weeks and 2 units of item H.

The total lead time for the final product is the sum of the lead times for all the components required. In this case, we can follow the tree of components and add up the lead times:

Final product: A (3 weeks)

B (2 weeks)

D (1 week)

H (0 weeks)

E (2 weeks)

H (0 weeks)

C (1 week)

F (3 weeks)

G (2 weeks)

So the total lead time for the final product is 3 + 2 + 1 + 1 + 2 + 3 + 2 = 14 weeks. Item 'H' is required for both components D and E. Each unit of D requires 1 unit of H, and each unit of E also requires 1 unit of H. Therefore, for each unit of the final product, we need a total of 2 units of item 'H'.

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--The complete question is, A company produces a final product that requires various components as shown in the BOM (Bill of Materials) below. The lead time for each component is also provided.(image attatched) What is the total lead time for the final product, and how many units of item 'H' are required?--

Why must the creditors list and creditors control balances be the same​

Answers

The creditors list and creditors control balances must be the same because the creditors list is a detailed record of individual creditor accounts, while the creditors control account is a summary account that shows the total amount owed to all creditors.

If these two balances are not the same, it means that there are errors in either the individual creditor accounts or the summary account. This could result in overpayments or underpayments to individual creditors, leading to inaccurate financial reporting and potentially damaging the company's reputation with suppliers. Therefore, it is essential to ensure that the balances in both accounts match to ensure accurate record-keeping and financial reporting.

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the czech republic has a gdp of 2,000 billion koruny. the exchange rate is 20 koruny per u.s. dollar. the czech population is 20 million. calculate the per person gdp of the czech republic in u.s. dollars.

Answers

the per-person GDP of the Czech Republic in U.S. dollars would be 5,000 U.S. dollars.

To calculate the per-person GDP of the Czech Republic in U.S. dollars, we can follow these steps:

Step 1: Convert the GDP from korunas to U.S. dollars using the exchange rate.

GDP in korunas = 2,000 billion korunas

Exchange rate = 20 korunas per U.S. dollar

GDP in U.S. dollars = GDP in korunas / Exchange rate

GDP in U.S. dollars = 2,000 billion korunas / 20 korunas per U.S. dollar

GDP in U.S. dollars = 100 billion U.S. dollars

Step 2: Calculate the per-person GDP in U.S. dollars by dividing the GDP in U.S. dollars by the population.

Population = 20 million

Per-person GDP in U.S. dollars = GDP in U.S. dollars / Population

Per-person GDP in U.S. dollars = 100 billion U.S. dollars / 20 million

Per-person GDP in U.S. dollars = 5,000 U.S. dollars

So, the per-person GDP of the Czech Republic in U.S. dollars would be 5,000 U.S. dollars.

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Complete Question-

The Czech Republic has a GDP of 2,000 billion korunas. The exchange rate is 20 korunas per U.S. dollar. The Czech population is 20 million. Calculate the per-person GDP of the Czech Republic in U.S. dollars.

Supply Chain Management (SCM) is like the back bonefor any operations. Critically discuss this statement with relevantexamples.

Answers

Supply Chain Management (SCM) is indeed like the backbone for any operations, as it ensures a smooth and efficient flow of goods and services from the initial stages of procurement to the final delivery to the customers.

About SCM

It involves planning, execution, and monitoring of all activities related to sourcing, production, logistics, and distribution.

A relevant example of the critical role of SCM in operations is the automotive industry. Car manufacturers rely on a complex supply chain to provide the necessary parts and components, such as engines, tires, and electronics, to assemble a finished vehicle.

A disruption in any part of this supply chain, such as a supplier's inability to meet demand or a logistics issue, can result in production delays and ultimately impact the company's bottom line and customer satisfaction.

Another example is the retail industry, particularly for businesses that operate on a large scale, like supermarkets. SCM plays a critical role in ensuring that shelves are stocked with the right products at the right time.

This requires careful planning and coordination among suppliers, warehouses, and transportation providers. Efficient SCM helps retailers to minimize stockouts and overstocks, thereby maximizing sales and customer satisfaction.

In conclusion, Supply Chain Management is a critical component of any business operations as it directly affects the company's ability to meet customer demands and stay competitive.

By managing the flow of goods and services effectively, businesses can optimize their processes, reduce costs, and ultimately enhance customer satisfaction.

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multiple select question select all that apply which two of the following are used exclusively as trade-oriented sales promotions rather than for consumers? multiple select question. cooperative advertising loyalty programs product placement salesforce training

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Two trade-oriented sales promotions that are exclusively used for business-to-business (B2B) marketing rather than for consumers are cooperative advertising and salesforce training. Option A & D are correct.


Cooperative advertising refers to a promotional strategy where two or more companies collaborate to create and fund an advertising campaign that promotes their products or services together.

This type of promotion is commonly used by manufacturers and wholesalers to help their retailers promote their products. In this case, the cost of the advertising campaign is shared between the manufacturer and the retailer.

Cooperative advertising can help increase sales and build brand awareness for both parties involved.Salesforce training is another B2B promotion that is designed to enhance the skills and knowledge of a company's salesforce.

The salesforce is a critical component of any business that sells products or services. Training can help sales reps develop the necessary skills to sell products more effectively, identify new sales opportunities, and close deals more efficiently. This type of promotion is typically exclusive to B2B companies because consumers do not interact with a salesforce directly.
In summary, cooperative advertising and salesforce training are two trade-oriented sales promotions that are exclusively used for B2B marketing rather than for consumers. These promotions can help increase sales, build brand awareness, and enhance the skills and knowledge of a company's salesforce.  Option A & D are correct.

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Reilly Company purchased a tractor at a cost of $90,000. The tractor has an estimated salvage value of $10,000 and an estimated life of 8 years, or 10,000 hours of operation. The tractor was purchased on January 1, 2013 and was used 2,400 hours in 2013 and 2,100 hours in 2014. On January 1, 2015, the company decided to sell the tractor for $35,000. Reilly uses the units-of-production method to account for the depreciation on the tractor. Based on this information, the entry to record the sale of the tractor will show:

Answers

The entry to record the sale of the tractor on January 1, 2015 will show:Cash -$35,000, Accumulated depreciation-$33,000, Loss on sale of tractor $22,000, Tractor- $90,000

The accumulated depreciation is calculated as follows:

Total estimated hours of operation = 8 years x 10,000 hours/year = 80,000 hours

Depreciation per hour = (Cost - Salvage value) / Total estimated hours of operation

Depreciation per hour = ($90,000 - $10,000) / 80,000 hours = $1.00 per hour

Total depreciation for 2,400 hours in 2013 = 2,400 hours x $1.00/hour = $2,400

Total depreciation for 2,100 hours in 2014 = 2,100 hours x $1.00/hour = $2,100

Accumulated depreciation as of January 1, 2015 = $2,400 + $2,100 = $4,500

The loss on the sale of the tractor is calculated as follows:

Sale price - Book value = $35,000 - ($90,000 - $4,500) = $22,000.

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the graph shows the marginal social cost curve and supply curve for sasha's candy shop. when four units are sold, what is the relevant marginal cost for the community where sasha produces and sells her candy?

Answers

The relevant marginal cost for the community where Sasha produces and sells her candy is $5 per hour.

To determine the profit-maximizing level of output, the firm needs to consider the cost of labor and the revenue generated from selling the output. In this case, the firm can sell as many potatoes as it wants for $2 per pound and has to pay each worker $5 per hour.

To calculate the profits, we need to subtract the cost of labor from the revenue generated from selling the output. For instance, if the firm employs one worker and produces 3 pounds of Candy per hour, its revenue will be 3 x $2 = $6, and the cost of labor will be $5. Hence, the profit will be $1.

We can observe that the firm's profits are maximized when it employs three workers, as it generates the highest profit of $5 per hour. Hence, to maximize profits, the firm should employ three workers.

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in auditing long-term bonds payable, an auditor most likely would: compare interest expense with the bond payable amount for reasonableness. examine documentation of assets purchased with bond proceeds for liens. perform analytical procedures on the bond premium and discount accounts.

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In auditing long-term bonds payable, an auditor most likely would perform various procedures to obtain reasonable assurance that the financial statements are free from material misstatements. One of the key procedures an auditor would perform is to compare the interest expense with the bond payable amount for reasonableness.

This is done to ensure that the interest expense recorded in the financial statements is in line with the bond payable amount.
Additionally, the auditor would examine the documentation of assets purchased with bond proceeds for liens. This is done to ensure that the assets purchased using the bond proceeds are free from any liens or encumbrances that could impact the value of the assets.
Furthermore, the auditor would perform analytical procedures on the bond premium and discount accounts. This is done to ensure that the premium and discount accounts are appropriately recorded in the financial statements and that any fluctuations in these accounts are reasonable and can be explained.
In summary, an auditor would perform various procedures when auditing long-term bonds payable, including comparing interest expense with the bond payable amount for reasonableness, examining documentation of assets purchased with bond proceeds for liens, and performing analytical procedures on the bond premium and discount accounts. These procedures are essential in ensuring that the financial statements are free from material misstatements and are reliable.

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Performance evaluation measures need to be:
a Relate to the behaviors under team members control b All of these answers are correct c Specific and clear d Identified in advance

Answers

Performance evaluation measures need to be specific and clear Answer is option C.

Performance evaluation is a technique that is used to evaluate and assess the performance of a staff member, employee, or team in a company or an organization. Performance evaluation helps in identifying and evaluating an employee’s performance over a period of time.

The primary objective of performance evaluation is to identify an employee's strengths and weaknesses, and to provide them with appropriate feedback and guidance to improve their performance.

It is also important to have a clear understanding of what performance evaluation measures are. Performance evaluation measures need to be specific and clear. Performance evaluation measures help managers to assess the performance of the employees and provide feedback on what is expected of them.

Thus, the correct option is C) Specific and clear.

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Assume that Louisa carried an average balance of $1,000 from her credit card purchases over the past year. The A. P. R. On her credit card for the past year was 19. 9%. Approximately how much interest would Louisa have paid over the course of the year? (Hint: Interest = APR/100 * Balance)

Answers

Louisa would have paid approximately $199 in interest over the course of the year.

We can use the formula:

Interest = APR/100 * Balance.

1: Convert the APR (Annual Percentage Rate) to a decimal by dividing it by 100.
APR = 19.9% / 100 = 0.199

2: Multiply the decimal APR by the average balance.
Interest = 0.199 * $1,000
3: Calculate the interest.
Interest = $199

So, Louisa would have paid approximately $199 in interest over the course of the year on her credit card with an average balance of $1,000 and an APR of 19.9%.

Annual Percentage Rate (APR), it is a measure used to represent the annualized interest rate on a loan or financial product. The APR takes into account not only the nominal interest rate but also any additional fees or costs associated with the loan.

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explain two product considerations that can affect the choice of a promotional mix.

Answers

Two product considerations that can affect the choice of a promotional mix are the product's price and its target market.

1. Price: The price of a product can affect the choice of a promotional mix because it can determine the budget available for advertising and promotion. If a product is high-priced, the company may have more resources available to invest in advertising and promotion. On the other hand, if a product is low-priced, the company may have to rely on more cost-effective promotional methods, such as social media marketing or word-of-mouth advertising.

2. Target market: The target market for a product can also affect the choice of a promotional mix. If a product is aimed at a younger demographic, for example, the company may want to use social media platforms to reach this audience. Alternatively, if a product is aimed at an older demographic, the company may choose to use more traditional forms of advertising, such as print or television ads, to reach this audience. Understanding the target market is key to selecting the most effective promotional mix for a product.

What is the failure rate of all new businesses? what is the failure rate of all new franchises? what inferences can you make from these numbers? explain your answer

Answers

The failure rate of all new businesses is difficult to determine as it can vary significantly depending on various factors such as industry, location, size, and management. However, studies suggest that the overall failure rate for new businesses is around 20% within the first year, and about 50% within the first five years.

The failure rate of all new franchises is also difficult to determine, but it is generally believed to be lower than the failure rate for independent businesses. Some studies suggest that the failure rate for new franchises may be as low as 10-20%, while others suggest that it may be slightly higher.

Based on these numbers, it can be inferred that the failure rate for new businesses is relatively high, and that starting a business is a risky proposition. However, the failure rate for new franchises may be lower, which suggests that buying a franchise may be a safer way to enter the business world. It is important to note that these are generalizations, and there are many factors that can influence the success or failure of a business or franchise.  

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Rent control keeps prices of housing below market rates. Which of these is an unintended consequence of rent control?.

Answers

Rent control may seem like an ideal solution to make housing more affordable, but it can have unintended consequences. One of these consequences is a decrease in the quality of housing available. Landlords may not have the financial incentive to invest in upkeep and repairs when they are unable to charge market rates for rent.

This could lead to deteriorating conditions in the units, which could potentially be hazardous to tenants' health and safety.Another unintended consequence is a decrease in the supply of available housing. With rent control, landlords may be more likely to convert rental units into condos or other forms of housing that are not subject to the rent control restrictions. This could make it more difficult for renters to find affordable housing options, especially in areas with high demand.


Overall, while rent control may seem like a solution to the housing affordability crisis, it can have unintended consequences that may ultimately harm renters. Policymakers need to consider these consequences when implementing such policies and should explore alternative solutions that address the root causes of the problem.

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delta company sells bells to customers for $1 each. the variable cost to manufacture the bells is 10 cents. if the rattle department, a division of the delta company, wants to use the bells in its new line of rattles, which of the following transfer prices can be used if there is excess capacity? (you may select more than one answer. single click the box with the question mark to produce a check mark for a correct answer and double click the box with the question mark to empty the box for a wrong answer. any boxes left with a question mark will be automatically graded as incorrect.)

Answers

Transfer pricing is the pricing of goods or services transferred between different divisions or entities within the same company. It is used to determine the cost of goods or services transferred and can have an impact on the profitability of the divisions involved.

In the given scenario, the Delta Company sells bells to customers for $1 each and the variable cost to manufacture the bells is 10 cents. The Rattle Department, a division of Delta Company, wants to use the bells in its new line of rattles. Since there is excess capacity.

Variable cost of 10 cents per bell: This transfer price would cover the direct variable costs incurred in manufacturing the bells and would result in no additional contribution margin for Delta Company. It may be used if the Rattle Department is operating on a tight budget and cannot afford a higher transfer price.

Market price of $1 per bell: This transfer price would be based on the market price at which Delta Company sells the bells to external customers. It would reflect the full selling price and may be used if the Rattle Department has the ability to sell the rattles at the same price as Delta Company sells the bells to customers.

A negotiated transfer price between the Rattle Department and Delta Company: This transfer price would be based on a mutually agreed-upon price between the Rattle Department and Delta Company.

The choice of transfer pricing method would depend on various factors, including the specific circumstances of the Delta Company and the Rattle Department, their respective financial goals, and the overall company strategy. It is important for companies to establish appropriate transfer pricing policies that align with their business objectives and comply with applicable tax and accounting regulations.

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bbb leasing purchased a machine for $250,000 and leased it to jack tupp auto repair on january 1, 2021. lease description: quarterly rental payments$16,315 at beginning of each period lease term5 years (20 quarters) no residual value; no bpo economic life of machine5 years implicit interest rate12% fair value of asset$250,000 what is the balance in the lease payable account after the april 1, 2021, lease payment?

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The balance in the lease payable account after the April 1, 2021, lease payment is -$6,526 . This means that the lease liability is increased by $6,526.

To calculate the balance in the lease payable account after the April 1, 2021, lease payment, we need to first determine the total amount of lease payments due over the lease term.

Each quarterly rental payment is $16,315, and there are 20 quarters in the lease term, so the total lease payments due over the lease term are:

$16,315 x 20 = $326,300

Next, we need to calculate the amount of each lease payment that represents interest expense and the amount that represents reduction of the lease liability. We can use the effective interest method to do this.

Under the effective interest method, the interest expense for each period is calculated by multiplying the beginning balance of the lease liability by the implicit interest rate. The reduction of the lease liability is the difference between the lease payment and the interest expense.

For the first period, the beginning balance of the lease liability is the total amount of lease payments due over the lease term, which is $326,300.

The interest expense for the first period is:

$326,300 x 12% = $39,156

The reduction of the lease liability for the first period is:

$16,315 - $39,156 = -$22,841 (a negative number indicates an increase in the lease liability)

Therefore, the balance in the lease payable account after the April 1, 2021, lease payment is:

$16,315 - $22,841 = -$6,526 (a negative number indicates an increase in the lease liability)

This means that the lease liability has increased by $6,526 since the beginning of the lease term.

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Assume that at the end of 2020, Clampett, Incorporated (an S corporation) distributes property (fair market value of $44,500, basis of $6,500) to each of its four equal shareholders (aggregate distribution of $178,000). At the time of the distribution, Clampett, Incorporated, has no corporate earnings and profits and J. D. Has a basis of $50,600 in his Clampett, Incorporated, stock. How much total income does J. D. Recognize as a result of the distribution

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In this scenario, since Clampett, Incorporated is an S corporation, the income, deductions, and credits of the corporation flow through to the shareholders, and are reported on their individual tax returns.

When an S corporation distributes property to its shareholders, the distribution is generally tax-free to the extent of the shareholder's basis in their stock. Any amount in excess of the shareholder's basis is treated as a capital gain.

In this case, J.D.'s basis in his Clampett, Incorporated stock is $50,600. Since the fair market value of the property he received in the distribution is $44,500 and his basis is greater than that amount, the distribution is tax-free to him. J.D. does not recognize any income as a result of the distribution.

However, it's worth noting that if J.D.'s basis had been less than $44,500, he would have recognized capital gain income equal to the excess of the distribution over his basis. But since his basis is greater than the fair market value of the distributed property, he doesn't have to recognize any income.

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1.a capital investment is expected to achieve long-term benefits for the organization thatgenerally fall into three categories: financial benefits, nonfinancial returns and the ability toattract more funds in the future.true or false?

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The given statement "A capital investment fall into three categories: financial benefits, nonfinancial returns, ability to attract more funds in the future." is true because all three categories are important considerations.

A capital investment is an expenditure made by a company to acquire or upgrade its assets, with the expectation of generating long-term benefits in the form of financial returns, nonfinancial benefits or intangible assets.

The financial benefits of a capital investment may include increased revenues, reduced costs, higher profits, or improved cash flow. Nonfinancial returns may include improved customer satisfaction, enhanced brand image, or increased market share.

Intangible assets may include patents, trademarks, copyrights or other intellectual property rights that can enhance a company's competitiveness and value.

Moreover, a successful capital investment can also increase the organization's credibility and attractiveness to investors and creditors, which in turn can help to secure additional funds in the future.

Therefore, all three categories of benefits (financial, nonfinancial, and the ability to attract more funds) are important considerations for a company when evaluating a capital investment.

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The town of cumberland levied property taxes in the amount of $1,600,000. the town estimates that 1 percent will be uncollectible. the journal entry to record the tax levy in the governmental activities general journal will include: the town of cumberland levied property taxes in the amount of $1,600,000. the town estimates that 1 percent will be uncollectible. the journal entry to record the tax levy in the governmental activities general journal will include: a debit to allowance for uncollectible current taxes for $16,000. a debit to estimated revenues for $1,600,000. a credit to revenues for $1,584,000. a debit to cash for $1,584,000.

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The journal entry to record the tax levy in the governmental activities general journal will include a debit to estimated revenues for $1,600,000 and a credit to revenues for $1,584,000.

The journal entry to record the tax levy in the governmental activities general journal for the town of Cumberland would be as follows:

Debit: Estimated Revenues $1,600,000
Credit: Revenues $1,584,000
Debit: Allowance for Uncollectible Current Taxes $16,000

This entry reflects the $1,600,000 property tax levy, with an estimated 1% ($16,000) being uncollectible. The credit to Revenues reflects the amount expected to be collected, while the debit to Estimated Revenues represents the full amount levied.

Finally, the debit to Allowance for Uncollectible Current Taxes accounts for the estimated amount that will not be collected. No debit to Cash is necessary at this point, as the taxes have not yet been collected.

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Happy Giraffe has preferred stock that pays a dividend of $5. 00 per share and sells for $100 per share. It is considering issuing new shares of preferred stock. These new shares incur an underwriting (or flotation) cost of 2. 10%. How much will Happy Giraffe pay to the underwriter on a per-share basis

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Happy Giraffe will pay $2.10 to the underwriter on a per-share basis for each new share of preferred stock that it issues. This is because the underwriting cost is 2.10% of the selling price of the new shares, which is $100 per share.

Preferred stock is a type of stock that pays a fixed dividend and has priority over common stock when it comes to receiving dividends and assets in the event of bankruptcy. In this case, Happy Giraffe's preferred stock pays a dividend of $5.00 per share.

An underwriter is a financial institution or individual that helps companies like Happy Giraffe issue new securities, such as preferred stock. The underwriter buys the new securities from the company and then resells them to investors.

A dividend is a payment made by a company to its shareholders, typically out of its profits. In the case of Happy Giraffe's preferred stock, it pays a fixed dividend of $5.00 per share to its shareholders.

In summary, Happy Giraffe will pay $2.10 to the underwriter on a per-share basis for each new share of preferred stock that it issues. This cost is incurred due to the underwriting (or flotation) cost, which is a fee charged by the underwriter for its services in helping the company issue new securities.

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Jerome, a new accounting graduate, was one of the candidates selected after his first interview to come back to the office to be given more details about the position: during the first three weeks, there would be extensive training about the company's accounting methods, as well as other company rules and regulations; the position provided room for growth and there were many young people for social activities; the company offered review seminars to prepare for the CPA exam, but he would not receive a substantial raise until he passed the exam; and there was also information provided concerning considerable overtime hours during tax season. The time Jerome spent in the office that day is called

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The time Jerome spent in the office that day is considered part of the hiring process and is commonly referred to as the second interview or follow-up interview.

During this interview, the company provided more detailed information about the position and what would be expected of Jerome if he were to accept the job offer.

The purpose of the second interview is to provide the candidate with a better understanding of the position and to answer any questions they may have about the company or the job. This interview also gives the company an opportunity to evaluate the candidate's level of interest in the position and to assess their suitability for the role.

During the second interview, Jerome was provided with important information about the company's accounting methods, rules and regulations, and other relevant details. He was also informed about the potential for growth within the company, the social activities available, and the support offered for CPA exam preparation.

Additionally, Jerome was informed about the overtime hours required during tax season and the incentive for passing the CPA exam. This information allows Jerome to make an informed decision about whether he wants to accept the job offer or not, based on a more comprehensive understanding of what the job entails.

Overall, the second interview is an important step in the hiring process, as it provides both the candidate and the company with a clearer picture of what the job entails and what the expectations are.

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f a firm was able to reduce its inventory level while keeping other things constant, we will see a change in which of the following accounting measures for liquidity? a decrease in quick ratio no change in any liquidity measure. a decrease in current ratio an increase in interval measure an increase in cash ratio

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Option b is correct. A firm was able to reduce its inventory level while keeping other things constant, we will see a change in accounting an increase in interval measures for liquidity.

The fast ratio, commonly referred to as the acid-test ratio, gauges a company's capacity to settle its immediate liabilities using its most liquid assets. It is computed by dividing a company's current obligations by the total of its cash, accounts receivable, and short-term investments.

Because inventory is not regarded as a liquid asset, lowering inventory levels will cause the quick ratio to rise, signaling an increase in liquidity. Reducing inventory levels will result in a decline because inventory is a current asset.

The current ratio assesses a company's capacity to use its current assets to settle its short-term debts. A company's current ratio is determined by dividing its total current assets by its total current liabilities.

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Complete question

A firm was able to reduce its inventory level while keeping other things constant, we will see a change in which of the following accounting measures for liquidity?

a. a decrease in quick ratio

b. no change in any liquidity measure

c. a decrease in current ratio

d. an increase in interval measure

e. an increase in cash ratio

2. Once you have a grasp on the scope of the industry, complete a partial five forces analysis for the force I have assigned to you (see the company assignments post). You may use the appropriate template from the Dobbs's reading to organize your analysis, but this is not required. However, it is required that you cover all of the elements of your assigned force covered in the readings.

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In order to complete a partial five forces analysis for the force assigned, it is important to first understand the scope of the industry. The five forces analysis is a framework developed by Michael Porter that helps to identify the forces that affect an industry's profitability.

It includes five forces that determine the competitive intensity and attractiveness of a market.The five forces include:Threat of new entrants Bargaining power of suppliers Bargaining power of buyers.Threat of substitute products or services .Rivalry among existing competitors Once you have a grasp on the scope of the industry, you can complete a partial five forces analysis for the assigned force. It is important to cover all of the elements of the assigned force covered in the readings.

One may use the appropriate template from the Dobbs's reading to organize their analysis, but this is not required.competitive rivalry, threat of new entrants, threat of substitute products or services, bargaining power of suppliers, or bargaining power of buyers. To conduct the analysis, you can use the appropriate template from Dobbs's reading, although this is not mandatory

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in general, sensitivity analysis provides information about . in general, sensitivity analysis provides information about . a. all possible values the input parameters may take b. how to eliminate uncertainty from a decision c. how changes in input parameter values affect the outcome or optimal decision d. all of the above e. none of the above

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In general, sensitivity analysis provides information about "how to eliminate uncertainty from a decision". The correct option is B.

The sensitivity analysis is the term which provides information about "how changes in input parameter values affect the outcome or optimal decision." Sensitivity analysis is a technique used to evaluate the effect of variations in input parameters or assumptions on the output of a model or decision.

The reason of using this analysis because it helps identify which inputs have the most significant impact on the outcome and how changes in those inputs may affect the decision or recommendation. Therefore, the correct option is "how changes in input parameter values affect the outcome or optimal decision."

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you are comparing two mutually exclusive projects. the crossover point is 12.3 percent. you have determined that you should accept project a if the required return is 13.1 percent. this implies you should:

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If the company wants to minimize risk and maximize returns, it should select Project B over Project A.

The crossover point is the point at which the net present values (NPVs) of two mutually exclusive projects intersect. In other words, it is the discount rate at which the NPV of one project equals the NPV of the other project.

If the required return is less than the crossover point, then Project A is preferred, and if the required return is greater than the crossover point, then Project B is preferred.

In this scenario, the crossover point is 12.3 percent, which means that at a discount rate of 12.3 percent, the NPV of Project A equals the NPV of Project B. Since the required return for Project A is 13.1 percent, which is greater than the crossover point, it implies that Project B is preferred over Project A.

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